BNK 127 | Course Introduction and Application Information

Course Name
Investment Analysis and Portfolio Management
Code
Semester
Theory
(hour/week)
Application/Lab
(hour/week)
Local Credits
ECTS
BNK 127
Fall/Spring
3
0
3
5

Prerequisites
None
Course Language
Turkish
Course Type
Elective
Course Level
Short Cycle
Course Coordinator -
Course Lecturer(s) -
Assistant(s) -
Course Objectives This course gives the related information to the students about the matters to be taken into consideration in making investment decisions and forming portfolio management. The aim of this course is having student able to evaluate the purposes and application process of investment tools in financial markets.
Course Description The students who succeeded in this course;
  • will be able to express the basic concepts of investment analysis.
  • will be able to express the basic concepts of portfolio management .
  • will be able to evaluate different investment tools.
  • will be able to use different investment tools.
  • will be able to analyze investment decisions based on the dynamic market conditions.
Course Content Students will learn basic concepts of investment analysis and portfolio management, also they will learn the methods of giving dynamic investment decisions based on the market conditions .

 



Course Category

Core Courses
Major Area Courses
Supportive Courses
X
Media and Management Skills Courses
Transferable Skill Courses

 

WEEKLY SUBJECTS AND RELATED PREPARATION STUDIES

Week Subjects Related Preparation
1 Definition of Investment Yatırım Analizi ve Portföy Yönetimi, Prof. Dr. Mehmet Baha KARAN, Gazi Kitabevi, 2013, ISBN: 6053447450. Chapter: 1
2 Basic Investment Concepts and Investment Decesion Yatırım Analizi ve Portföy Yönetimi, Prof. Dr. Mehmet Baha KARAN, Gazi Kitabevi, 2013, ISBN: 6053447450. Chapter: 1
3 Markets and Exchanges Yatırım Analizi ve Portföy Yönetimi, Prof. Dr. Mehmet Baha KARAN, Gazi Kitabevi, 2013, ISBN: 6053447450. Chapter: 2
4 Future Markets Yatırım Analizi ve Portföy Yönetimi, Prof. Dr. Mehmet Baha KARAN, Gazi Kitabevi, 2013, ISBN: 6053447450. Chapter: 3
5 Time Value of Money Yatırım Analizi ve Portföy Yönetimi, Prof. Dr. Mehmet Baha KARAN, Gazi Kitabevi, 2013, ISBN: 6053447450. Chapter: 4
6 Introduction to Portfolio Management Yatırım Analizi ve Portföy Yönetimi, Prof. Dr. Mehmet Baha KARAN, Gazi Kitabevi, 2013, ISBN: 6053447450. Chapter: 5
7 Theories of Portfolio Management Yatırım Analizi ve Portföy Yönetimi, Prof. Dr. Mehmet Baha KARAN, Gazi Kitabevi, 2013, ISBN: 6053447450. Chapter: 5
8 Tools of Investment Yatırım Analizi ve Portföy Yönetimi, Prof. Dr. Mehmet Baha KARAN, Gazi Kitabevi, 2013, ISBN: 6053447450. Chapter: 6
9 MID TERM EXAM MID TERM EXAM
10 Tools of Investment Yatırım Analizi ve Portföy Yönetimi, Prof. Dr. Mehmet Baha KARAN, Gazi Kitabevi, 2013, ISBN: 6053447450. Chapter: 6
11 Sector of Portfolio Management and Firms Yatırım Analizi ve Portföy Yönetimi, Prof. Dr. Mehmet Baha KARAN, Gazi Kitabevi, 2013, ISBN: 6053447450. Chapter: 7
12 Sector of Portfolio Management and Firms Yatırım Analizi ve Portföy Yönetimi, Prof. Dr. Mehmet Baha KARAN, Gazi Kitabevi, 2013, ISBN: 6053447450. Chapter: 7
13 Risk Management Yatırım Analizi ve Portföy Yönetimi, Prof. Dr. Mehmet Baha KARAN, Gazi Kitabevi, 2013, ISBN: 6053447450. Chapter: 8
14 Risk Management Yatırım Analizi ve Portföy Yönetimi, Prof. Dr. Mehmet Baha KARAN, Gazi Kitabevi, 2013, ISBN: 6053447450. Chapter: 8
15 Dynamic Investment Decision Process Yatırım Analizi ve Portföy Yönetimi, Prof. Dr. Mehmet Baha KARAN, Gazi Kitabevi, 2013, ISBN: 6053447450. Chapter: 9
16 FINAL FINAL EXAM

 

Course Notes/Textbooks

Yatırım Analizi ve Portföy Yönetimi, Prof. Dr. Mehmet Baha KARAN, Gazi Kitabevi, 2013, ISBN: 6053447450.

Suggested Readings/Materials

-

 

EVALUATION SYSTEM

Semester Activities Number Weigthing
Participation
1
10
Laboratory / Application
Field Work
Quizzes / Studio Critiques
Homework / Assignments
Presentation / Jury
Project
1
70
Seminar / Workshop
Portfolios
Midterms / Oral Exams
1
20
Final / Oral Exam
Total

Weighting of Semester Activities on the Final Grade
3
100
Weighting of End-of-Semester Activities on the Final Grade
Total

ECTS / WORKLOAD TABLE

Semester Activities Number Duration (Hours) Workload
Course Hours
Including exam week: 16 x total hours
16
3
48
Laboratory / Application Hours
Including exam week: 16 x total hours
16
Study Hours Out of Class
16
3
Field Work
Quizzes / Studio Critiques
Homework / Assignments
Presentation / Jury
Project
1
35
Seminar / Workshop
Portfolios
Midterms / Oral Exams
1
10
Final / Oral Exam
    Total
141

 

COURSE LEARNING OUTCOMES AND PROGRAM QUALIFICATIONS RELATIONSHIP

#
Program Competencies/Outcomes
* Contribution Level
1
2
3
4
5
1 To record, edit and close entries and to analyze financial statements X
2 To discuss the role and function of banks in the economy. X
3 To know the services offered by commercial banks and to apply the principles and processes. X
4 To get basic investment knowledge, combine academic studies and the financial markets X
5 To manage the risks and to take advantage of opportunities to use derivative instruments in futures markets X
6 To assess the financial and economic situation, the income statement and the balance sheet, in particular to analyze the financial statements X
7 To know Insurance policies, processes and products X
8 To know basic knowledge of law as well as banking law, insurance law and capital market law to be informed about X
9 To gain financial marketing and sales capabilities X

*1 Lowest, 2 Low, 3 Average, 4 High, 5 Highest